Fund Detail
0314 · Sewer Fund
Structured FY2026 appropriation totals, line items, and direct page links for this fund.
Funding by department
- 099 · Finance General $324.5M
- 088 · Department of Water Management $108.1M
- 038 · Department of Fleet and Facility Management $8.8M
- 081 · Department of Streets and Sanitation $3.1M
- 067 · Department of Buildings $2.7M
- 027 · Department of Finance $2.0M
- 031 · Department of Law $1.1M
- 003 · Office of Inspector General $867K
- 006 · Department of Technology and Innovation $772K
- 028 · City Treasurer's Office $268K
Largest Line Items
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$77.3M0902 · For Interest on BondsFinancial Purposes as Specified
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$73.5M0005 · Salaries and Wages - on PayrollPersonnel Services
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$52.4M9097 · For Capital ConstructionPurposes as Specified
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$38.9M9611 · To Reimburse the Corporate Fund for Indirect Costs Chargeable to FundTransfers and Reimbursements
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$36.8M0912 · For Payment of BondsFinancial Purposes as Specified
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$32.6M0944 · For Payment on LoansFinancial Purposes as Specified
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$16.3M9645 · To Reimburse the Corporate Fund for Indirect Pension Costs Chargeable to FundTransfers and Reimbursements
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$14.5M9981 · Laborers' Fund Pension AllocationPension Purposes as Specified
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$14.4M9980 · Municipal Fund Pension AllocationPension Purposes as Specified
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$13.1M0140 · For Professional and Technical Services and Other Third Party Benefit AgreementsContractual Services
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$11.7M0943 · For Interest on LoansFinancial Purposes as Specified
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$9.3M9481 · For Services Provided by the Department of Streets and SanitationTransfers and Reimbursements
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$7.1M0020 · OvertimePersonnel Services
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$7.1M0042 · For the Costs of Claims and Administration for Hospital and Medical Care Provided to Eligible Employees, Provided However, That All Payments to the Independent Utilization Reviewer Shall Be Subject to the Approval of the Chairman of the Committee on the Budget and Government OperationsPersonnel Services
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$6.9M0340 · Material and SuppliesCommodities and Materials